Title : Senior Core Banking Specialist – Finastra Equation
Experience : 8-12 years
Offshore Location : Any TechM (Bangalore / Chennai / Hyderabad / Pune)- For Initial day till Visa Processing time.
Domain : Banking only
Job Location : Sharjah
Offshore Budget : upto 30 LPA
Notice Period : Immediate
Job Summary :
We are seeking an experienced Core Banking Specialist with 8-10 years of proven expertise in the Finastra Equation platform. The ideal candidate will possess in-depth knowledge of core banking modules, API integration, reporting functionalities, and system parameter configurations. This role requires hands-on experience in AS / 400 technologies, Equation support, and payment processing within the Equation system.
Key Responsibilities :
Oversee all core banking modules within the Finastra Equation platform, including API structures and reporting functionalities.
Perform parameter configuration for products, balance sheets, and P&L setups.
Support Equation modules, including End of Day processing and Equation Lending.
Develop and maintain AS / 400 technologies using RPGLE, CLLE, SQL400, and DB2 / 400.
Manage integration data flow modules within the Equation platform and create new APIs.
Oversee IBM MQ management for Equation system integrations with other applications.
Design solutions, create low-level design documentation, and collaborate with the team on implementation.
Interpret business requirements, draft test plans, and prepare detailed test cases for functional, regression, API, security, and integration testing.
Lead testing efforts in Retail Banking, Core Banking, and Payment systems, including defect triage.
Take ownership of assigned projects, ensuring end-to-end completion and follow-ups.
Maintain high-quality documentation standards for system configurations and testing processes.
Scope of Work :
Clearing of unclassified items for Balance Sheet and Profit & Loss
Automation of daily ratio reports
Automation of cost allocation reports
Automation of manual adjustments & new option for manual backdated adjustments
Other financial statements - disclosures / other reports automation
Customer-wise segmentation on current finance reports (new BRD)
Historical data statistics - historical data reporting and analytics with new reporting structure (new BRD)
Maturity analysis
IIS treatment, CB regulatory requirement
Bifurcation of retail mortgage loan income in P&L report
BRF – Cash reserve calculation, interest income and expense report, interest receivable & payable report for non-residents, net fees and commission report
Bulk closure of GL accounts under closed branch based on last transaction date of the accounts
Assist in allocating GL numbers for Balance Sheet and P&L mapping
Finance ad-hoc tasks
Support BAU tasks
Support Business and Operations for core banking-related queries and requests
Analyze, develop, and test change requests raised by Business, Operations, and Finance departments
Analyze, test, and deploy fixes from the vendor
Banking Specialist • Pune, Maharashtra, India